Monitor compliance with QCB and local insurance regulations.
Develop, update, and enforce internal compliance policies and procedures.
Prepare and submit regulatory reports and coordinate with authorities.
Conduct compliance reviews, risk assessments, and internal audits.
Report compliance findings and corrective actions to management.
Qualifications:
Bachelor's degree in Law, Business, or related field.
2-3 years experience in compliance (preferably loss adjusting, insurance or financial services).
Strong knowledge of QCB and Anti-Money Laundering regulations.
Excellent communication, reporting, and analytical skills.
Compliance or AML certification preferred.
Job Types: Full-time, Permanent
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